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Deposits (Tables)
12 Months Ended
Dec. 31, 2020
Deposits [Abstract]  
Schedule of Deposit Balances by Type

(In thousands)

2020

2019

NOW and demand

$

554,095

$

369,423

Regular savings

151,341

115,593

Money market deposits

353,793

270,471

Total non-certificate accounts

1,059,229

755,487

Certificate accounts of $250,000 or more

5,167

15,575

Certificate accounts less than $250,000

173,032

78,843

Total certificate accounts

178,199

94,418

Total deposits

$

1,237,428

$

849,905

Schedule of Maturities for Time Deposits

(In thousands)

2021

$

139,794

2022

36,161

2023

897

2024

175

2025

1,172

Total

$

178,199